Product Terms and Conditions Rules - Designated Contract Markets : 30477

Organization: ICE US

Description: Effective September 30, 2014 the Exchange is eliminating the Fair Value methodology for determing daily settlement price for Russell Index futures contracts on the last business day of each calendar month.

Products Affected: Russell Index

Official Receipt Date: 2014-09-15 00:00:00

Status: Certified

Date: 2014-09-29 00:00:00

Remarks:

Associated Documents
Amendments to Exchange Rules 4.08 and 27.18